TRUE P&L
₹ 0.00
₹ 0.00
₹ 0.00
₹ 0.00
DAY REALIZED
₹ 0.00
Settled trades
FLOATING
₹ 0.00
Live M2M open
AVAIL CASH
₹ 0.00
Margin: ₹ 0
ACTIVE
0
System: …
CLOSED
0
Today's exits
SIGNALS
0
Incl. blocked
ENGINE
…
WS: — | FB: —
ZERODHA
—
—
True PnL ₹ 0
Realized ₹ 0
Floating ₹ 0
Open trades 0
Avail Cash ₹ 0
SHOONYA
—
—
True PnL ₹ 0
Realized ₹ 0
Floating ₹ 0
Open trades 0
Avail Cash ₹ 0
PnL on 25 Apr 2026
⚡ Active Trades
0
| Symbol | Dir | Qty | Entry ₹ | SL | Trail SL | P&L | Alert | ❌ Kill |
|---|
📡 Recent Signals
| Time | Alert | Stocks | Strike | Action |
|---|
📕 Today's Closed Trades
| Symbol | Dir | Entry | Exit | P&L | Reason |
|---|
| # | Broker | Symbol | Side | Status | Exit Status | LTP | Bid | Ask | Vol | VWAP | High | Low | OI | Qty | Entry | Tgt | SL | TSL | P&L | Exit ₹ | Reason | Alert | Entry @ | Exit @ | Trail | Lock | Strategy | Entry Order ID | Exit Order ID | Action |
|---|
| Broker | Symbol | Net Qty | Avg Price | LTP | P&L | Exchange | Product | Buy Qty | Sell Qty | Avg Buy | Avg Sell | Action |
|---|
| Time | Broker | Order ID | Exchange | Symbol | Side | Qty | Filled | Price | Exec ₹ | Trigger | Product | Status | Remarks | Rejection | Cancel |
|---|
| Time | Broker | Alert | Stock Name | Strike | Price | Event ID | Action / Route | Reason |
|---|
All Signals · Last 1 month
OVERVIEW
⭐ TIER 1 — RISK-ADJUSTED PERFORMANCE
the only numbers that matter for evaluating an edge
SHARPE
—
>1 decent · >2 good · >3 exceptional
SORTINO
—
downside-only volatility
CALMAR
—
return / max drawdown
PROFIT FACTOR
—
>1.5 profitable · >2 strong
EXPECTANCY
—
expected ₹ per trade
TOTAL TRADES
0
WIN RATE
0%
TOTAL P&L
₹0
AVG P&L / TRADE
₹0
BEST TRADE
₹0
WORST TRADE
₹0
AVG HOLD (WIN)
—
winners ride this long on average
AVG HOLD (LOSS)
—
losers ride this long on average
DISPOSITION
—
losers ÷ winners holding-time ratio
📉 TIER 2 — DRAWDOWN ANALYSIS
survival metric — know your worst-case before live trading
MAX DRAWDOWN ₹
—
MAX DRAWDOWN %
—
CURRENT DD
—
RECOVERY FACTOR
—
UNDERWATER CURVE
depth below all-time peak (₹)
📈 EQUITY CURVE
cumulative P&L across selected trades
EQUITY CURVE
🔬 TIER 5 — PER-SIGNAL FORENSICS
sortable — rank signals by Sharpe, profit factor, win rate
| Signal | Trades | Win % | P&L | Avg P&L | Sharpe | Profit Factor | Best | Worst | Sparkline (last 30 trades) |
|---|
📅 History
→
—
Profit
Loss
PAPER
REAL
← Select a day from the calendar to view its trades, charts, and stats.
ZERODHA
—
·
0 trades
SHOONYA
—
·
0 trades
COMBINED
—
·
0 trades
TOTAL P&L
—
REALIZED
—
FLOATING
—
PEAK
—
MAX OPEN
—
SAMPLES
—
TRADES
—
PnL on —
PnL on —
PnL on —
📋 ALL TRADES FOR SELECTED DATE
| # | Symbol | Open | High | Low | Close | VWAP | Bid | Ask | Vol | OI | LTP | %Chg | Qty | BUY/SELL | Entry Signal | Entry Limit | Entry Done @ | Entry OID | Entry Remarks | Exit Signal | Exit Done @ | Exit OID | Exit Remarks | Target | SL | Trail | Latest SL | Status | P&L | Lock | New Profit | Alert Name | Entry Time | Exit Time | Buy Val | Sell Val | Strategy | Exit Status |
|---|
filtering by prefix — independent of broker filter
🗄️ STORAGE OVERVIEW
Path / tableSizeRows
📄 trading.db (SQLite hot)——
├─ trades—
├─ signals—
├─ orders—
└─ pnl_snapshot—
(soft-deleted, awaiting hard-delete)—
📦 data/snapshots/ (Parquet, pnl archive)—
📦 data/trades_archive/ (Parquet, trades cold)—
💾 data/backups/ (auto)—
TOTAL DATA FOOTPRINT—
⚙ ARCHIVAL POLICY
trades archival: —
auto-enable threshold: —
hot window (keep_days): —
grace period (days): —
⚙️ Advanced — Backup schedule + Manual trigger
Daily backup time (server clock, IST). Saved values take effect at next server restart.
— Save Config to persist
Manual trigger — use only for testing, late-EOD catch-up, or if the scheduler missed a run.